September 2017
Beginner to intermediate
784 pages
23h 56m
English
R. Stafford Johnson is Professor of Finance and Director of the Smith Center for the Study of Capitalism and Society at the Williams College of Business, Xavier University. He is the author of six books: Options and Futures; Introduction to Derivatives; two editions of Bond Evaluation, Selection, and Management; Debt Markets and Analysis; and Equity Markets and Portfolio Analysis. He has also authored or co‐authored over 50 academic articles. His Equity Markets and Portfolio Analysis and Debt Markets and Analysis texts are core equity and fixed‐income investment books that cover extensively the functionality of Bloomberg terminals and its applicability to investments.
Read now
Unlock full access